Quarterly report pursuant to Section 13 or 15(d)

MARKETABLE SECURITIES (Tables)

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MARKETABLE SECURITIES (Tables)
6 Months Ended
Jun. 30, 2024
Marketable Securities  
Schedule of marketable securities
                               
    June 30, 2024  
   

Cost
Basis

   

Unrealized Gains

   

Unrealized Losses

   

Fair Value

 
                         
Certificates of deposit   $ 1,514,000     $        $ (4,000 )   $ 1,510,000  
Government securities     12,910,000       51,000       (37,000 )     12,924,000  
Fixed income mutual funds     7,618,000       113,000                7,731,000  
Corporate bonds and notes     496,000                         (1,000 )     495,000  
Total marketable securities   $ 22,538,000     $ 164,000     $ (42,000 )   $ 22,660,000  

 

 

    December 31, 2023  
   

Cost
Basis

   

Unrealized Gains

   

Unrealized Losses

   

Fair Value

 
                         
Certificates of deposit   $ 6,112,000     $        $ (35,000 )   $ 6,077,000  
Government securities     14,701,000       127,000       (10,000 )     14,818,000  
Fixed income mutual funds     7,585,000       91,000             7,676,000  
Total marketable securities   $ 28,398,000     $ 218,000     $ (45,000 )   $ 28,571,000